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European rating agency. Objective, transparent, independent.

Long-Term Local Currency Senior Unsecured Issues

Engie S.A.

Rating History

Rating Watch Outlook Decision Date Action Validity Date Maximum Validity
BBB+ Outlook STA 12.12.2023 18.12.2023
A- Outlook NEG 16.12.2022 21.12.2022
A- Outlook NEG 03.12.2021 08.12.2021
A- Outlook NEG 15.05.2020 25.05.2020
A- 28.09.2018 09.10.2018

News

  • 18.12.2023
    Creditreform Rating has adjusted the unsolicited corporate issuer rating of Engie S.A. from A- to BBB+. Creditreform Rating has also adjusted the unsolicited corporate issue rating of the long-term local currency senior unsecured notes issued by Engie S.A. from A- to BBB+. These issues are included in the list of ECB-eligible marketable assets, which can be found on the ECB's website. The outlook for the ratings is stable. The initial unsolicited short-term rating of Engie S.A. has been set to L3. For more details regarding the ratings, please refer to our rating update report below.
  • 21.12.2022
    Creditreform Rating has affirmed the unsolicited corporate issuer rating of Engie S.A. at A-. Creditreform Rating has also affirmed the unsolicited corporate issue rating of the long-term local currency senior unsecured notes issued by Engie S.A. at A-. These issues are included in the list of ECB-eligible marketable assets, which can be found on the ECB's website. The outlook for the ratings remains negative. For more details regarding the ratings, please refer to our rating update report below.
  • 08.12.2021
    Based on the unsolicited corporate issuer rating of Engie S.A. (A- / negative) Creditreform Rating has conducted unsolicited corporate issue ratings (ISIN) issued by Engie S.A. The rating objects in question are exclusively long-term senior unsecured issues denominated in Euro, which have been issued by Engie S.A. and are included in the list of ECB-eligible marketable assets. The ECB list of eligible marketable assets can be found on the ECB's website. All issues (ISIN) are rated with A- / negative.
  • 25.05.2020
    Based on the unsolicited corporate issuer rating of Engie S.A. (A- / negative) Creditreform Rating has conducted unsolicited corporate issue ratings (ISIN) issued by Engie S.A. The rating objects in question are exclusively long-term senior unsecured issues denominated in Euro, which have been issued by Engie S.A. and included in the list of ECB-eligible marketable assets. The ECB list of eligible marketable assets can be found on the ECB's website. All the following issues (ISIN) are rated with A- / negative.
  • 09.10.2018
    Based on the unsolicited corporate issuer rating of Engie S.A. (group) (A-/negative), Creditreform Rating has conducted unsolicited corporate issue ratings (ISIN) issued by Engie S.A. (group).
    The rating objects in question are exclusively long term senior unsecured issues denominated in Euro, which have been issued by Engie S.A. (group) and included in the list of ECB-eligible marketable assets. The ECB list of eligible marketable assets can be found on the ECBs website. All the following issues (ISIN) are rated with A-.

ISIN Liste

ISIN Action Validity Date Maximum Validity
FR001400OJE3 11.03.2024
FR001400OJC7 11.03.2024
FR001400OJB9 11.03.2024
FR001400MF86 14.12.2023
FR001400MF78 14.12.2023
FR001400KHI6 09.09.2023
FR001400KHH8 09.09.2023
FR001400KHG0 09.09.2023
FR001400KHF2 09.09.2023
FR001400ID19 17.06.2023 18.07.2023
FR001400IDE8 17.06.2023 13.07.2023
FR001400F1M1 18.01.2023
FR001400F1I9 18.01.2023
FR001400F1G3 18.01.2023
FR001400A1H6 05.10.2022
FR0013365293 08.12.2021
FR0013365285 08.12.2021
FR0014005ZQ6 29.10.2021
FR0014005ZP8 29.10.2021
FR0011450964 21.05.2021
FR0013517190 18.06.2020
FR0013504693 07.04.2020
FR0013504677 07.04.2020
FR0013504644 07.04.2020
FR0013455821 29.10.2019
FR0013455813 29.10.2019
FR0013444775 25.09.2019
FR0013428513 12.07.2019
FR0013428489 12.07.2019
FR0011911247 09.10.2018
FR0013347465 09.10.2018
FR0012990984 09.10.2018
FR0013245867 09.10.2018
FR0013344686 09.10.2018
FR0013284254 09.10.2018
FR0013260767 09.10.2018
FR0012602779 09.10.2018
FR0013284270 09.10.2018
FR0013056157 09.10.2018
FR0012602761 09.10.2018
FR0013245859 09.10.2018 27.03.2024
FR0013284247 09.10.2018 28.02.2023
FR0011131846 09.10.2018 27.11.2018
FR0010678185 09.10.2018 25.01.2019
FR0011147305 09.10.2018 21.01.2020
FR0011464171 09.10.2018 16.04.2020
FR0011911239 09.10.2018 19.05.2020
FR0010709451 09.10.2018 18.01.2021
FR0012602753 09.10.2018 10.12.2021
FR0011289230 09.10.2018 20.07.2022
FR0010952770 09.10.2018 19.10.2022
FR0011261924 09.10.2018 01.02.2023
FR0011022474 09.10.2018